Series63関連資格知識 資格取得

これはあなたがSeries63関連資格知識試験に合格できる最善で、しかも唯一の方法ですから。NewValidDumpsのSeries63関連資格知識問題集を入手してから、非常に短い時間で試験に準備しても、あなたは順調に試験に合格することができます。NewValidDumpsの問題集には、実際の試験に出る可能性がある問題が全部含まれていますから、問題集における問題を覚える限り、簡単に試験に合格することができます。 NewValidDumpsはまた一年間に無料なサービスを更新いたします。NewValidDumpsにIT業界のエリートのグループがあって、彼達は自分の経験と専門知識を使ってFINRA Series63関連資格知識認証試験に参加する方に対して問題集を研究続けています。 Series63関連資格知識認定試験に合格することは難しいようですね。

Uniform Securities State Law Series63 これは賞賛の声を禁じえない参考書です。

Uniform Securities State Law Series63関連資格知識 - Uniform Securities Agent State Law Examination あなたに成功に近づいて、夢の楽園に一歩一歩進めさせられます。 うちの学習教材を購入したら、私たちは一年間で無料更新サービスを提供することができます。あなたはFINRAのSeries63 日本語版試験解答問題集を購入する前に、NewValidDumpsは無料でサンプルを提供することができます。

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Series63 PDF DEMO:

QUESTION NO: 1
Assuming the security is not registered under the Uniform Securities Act, which of the following would not
be exempt from state registration?
A. a variable annuity contract offered by an insurance company with offices in the state
B. a stock that is listed on the American Stock Exchange
C. a stock that is listed on the OTC Bulletin Board
D. a put option on a stock that sells in the over-the-counter market
Answer: C
Explanation: A stock that is listed on the OTC Bulletin Board would not be exempt from state registration
unless it already happens to be registered under the Uniform Securities Act. Variable annuities and stocks
listed on the American Stock Exchange are classified as federal covered securities by the NSMIA of
1996
and are exempt from state registration. An amendment to the Securities and Exchange Act of 1934 exempts option contracts from state registration.

QUESTION NO: 2
When selling shares in a closed-end investment company, an agent must inform the client of any
I. commissions
II. underwriting fees
III. miscellaneous offering expenses
A. I, II and III
B. I only
C. I and II only
D. I and III only
Answer: A
Explanation: When selling shares in a closed-end investment company, an agent must inform the client of
any commissions, underwriting fees, or miscellaneous other offering expenses involved.

QUESTION NO: 3
The 1988 Insider and Securities Enforcement Act indicates that a person convicted of insider trading can
be subject to which of the following penalties?
A. up to 10 years in prison and a fine of $1 million or up to 3 times the amount of profits gained, or
B. up to 3 years in prison, a $5,000 fine, or both
C. up to 5 years in prison and a fine of $1,500,000 or both
D. up to 7 years in prison and a fine equal to 200% of the amount of profits gained or losses avoided
Answer: A
Explanation: The 1988 Insider Trading and Securities Enforcement Act increased the penalties for a person convicted of insider trading to up to 10 years in prison and a fine of $1 million or up to 3 times the
amount of profits gained, or losses avoided.

QUESTION NO: 4
A limited power-of-attorney gives the designated person the right to
I. order the sale of an asset owned by the account holder and have a check written to the account holder
for the amount of the proceeds.
II. obtain account statements, including tax statements, on behalf of the account holder.
III. order the purchase of an asset for the account holder's account.
A. I, II, and III
B. I and II only
C. II and III only
D. I and III only
Answer: C
Explanation: Only Selections II and III are true. A limited power-of-attorney gives the designated person
the right to obtain account statements, including tax statements, on behalf of the account holder and to
order the purchase of an asset for the account holder's account. Only a full (or unlimited) power-of-attorney allows the designated person to withdraw any proceeds from the account.

QUESTION NO: 5
Trevor is currently a registered agent in the state of Connecticut where he has been employed by Connect
& Company, a broker-dealer that is registered in Connecticut and has subsidiary operations in
Massachusetts, New Jersey, and New York. Trevor has moved to Massachusetts and is now associated
with one of Connect's subsidiaries, a broker-dealer registered in the state. Trevor has applied to the
Administrator of Massachusetts for registration as an agent. Can Trevor execute purchases and sales for
clients while his registration is still pending?
A. No. Until he is informed by the Administrator of Massachusetts that his application has been accepted,
Trevor may not effect any securities transactions in Massachusetts.
B. Yes. Because Trevor is a registered agent in another state and is affiliated with a broker-dealer that is
registered in the state of Massachusetts, he is not restricted from executing trades.
C. Yes. Trevor can execute trades for new clients he solicits, but only for sixty days while his registration
is pending.
D. It depends. Trevor can execute some purchases and sales, but only for clients that he already had who
may have recently relocated to Massachusetts and only for sixty days while his registration is pending.
Answer: D
Explanation: It depends. Because he is a registered agent in another state and the broker-dealer he is now affiliated with is registered in the state of Massachusetts, Trevor can execute purchases and sales,
but only for existing clients while his registration with the Massachusetts Administrator is still pending and
only for sixty days. This assumes, of course, Trevor has no violations that would restrict him from registering in Massachusetts.

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Updated: May 26, 2022

Series63関連資格知識 & Series63受験対策解説集 - Finra Series63模擬対策

PDF問題と解答

試験コード:Series63
試験名称:Uniform Securities Agent State Law Examination
最近更新時間:2024-05-19
問題と解答:全 251
FINRA Series63 試験問題

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模擬試験

試験コード:Series63
試験名称:Uniform Securities Agent State Law Examination
最近更新時間:2024-05-19
問題と解答:全 251
FINRA Series63 日本語認定

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オンライン版

試験コード:Series63
試験名称:Uniform Securities Agent State Law Examination
最近更新時間:2024-05-19
問題と解答:全 251
FINRA Series63 最新な問題集

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Series63 試験復習